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Economic integration and financial stability : a European perspective /

This paper assesses changes in synchronization of real activity and financial market integration in Western Europe and evaluates their implications for financial stability. We find increased synchronization of real activity since the early 1980s and increased equity markets integration since the ear...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Autores principales: De Nicoló, Gianni (Autor), Tieman, Alexander F. (Autor)
Autor Corporativo: International Monetary Fund
Formato: Electrónico eBook
Idioma:Inglés
Publicado: [Washington, D.C.] : International Monetary Fund, 2006.
Colección:IMF working paper ; WP/06/296.
Temas:
Acceso en línea:Texto completo

MARC

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245 1 0 |a Economic integration and financial stability :  |b a European perspective /  |c prepared by Gianni De Nicolò and Alexander Tieman. 
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520 |a This paper assesses changes in synchronization of real activity and financial market integration in Western Europe and evaluates their implications for financial stability. We find increased synchronization of real activity since the early 1980s and increased equity markets integration since the early 1990s. We also find that measures of systemic risk at large European financial institutions have not declined during the period 1990-2004 and that bank systemic risk profiles have converged. At the same time, the sensitivity of bank and insurance systemic risk measures to common real and financial shocks has increased in most countries. Overall, these results suggest that the integration process does not necessarily entail an unambiguously positive effect on financial stability. 
506 |3 Use copy  |f Restrictions unspecified  |2 star  |5 MiAaHDL 
533 |a Electronic reproduction.  |b [Place of publication not identified] :  |c HathiTrust Digital Library,  |d 2010.  |5 MiAaHDL 
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505 0 |a Economic Integration and Financial Stability: A European Perspective -- Contents -- I. INTRODUCTION -- II. SYNCHRONIZATION OF REAL ACTIVITY -- III. EQUITY MARKETS INTEGRATION -- IV. SYSTEMIC RISK AND INTEGRATION -- V. CONCLUSION -- Table 1. EGARCH Estimates for the Common Components of IPG -- Table 2. EGARCH Estimates for Cross-Country Variances of IPG and De-Trended IPG -- Table 3. Country-by-Country EGARCH Estimates for IPG -- Table 4. Dependent Variables: Cross-Country Variance of IEDFs and Country IEDFs 
505 8 |a ""Table 5. Dependent Variables: Cross-Country Variance of Portfoliosâ€? DDs""""Table 6. Dependent Variable: Banks DDs Changes""; ""Table 7. Dependent Variable: Insurance DDs Changes""; ""Appendix Table 1. Banks and Insurance Companies""; ""REFERENCES"" 
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650 0 |a Fiscal policy  |z Europe  |x Econometric models. 
650 0 |a Finance  |z Europe  |x Econometric models. 
651 0 |a Europe  |x Economic integration  |x Econometric models. 
651 0 |a Europe  |x Economic conditions  |x Econometric models. 
650 6 |a Politique fiscale  |z Europe  |x Modèles économétriques. 
650 6 |a Finances  |z Europe  |x Modèles économétriques. 
651 6 |a Europe  |x Intégration économique  |x Modèles économétriques. 
651 6 |a Europe  |x Conditions économiques  |x Modèles économétriques. 
650 7 |a Economic history  |2 fast 
650 7 |a Finance  |x Econometric models  |2 fast 
650 7 |a Fiscal policy  |x Econometric models  |2 fast 
650 7 |a International economic integration  |x Econometric models  |2 fast 
651 7 |a Europe  |2 fast  |1 https://id.oclc.org/worldcat/entity/E39PBJxCxPbbk4CPJDQJb4r6rq 
700 1 |a Tieman, Alexander F.,  |e author. 
710 2 |a International Monetary Fund. 
758 |i has work:  |a Economic integration and financial stability (Text)  |1 https://id.oclc.org/worldcat/entity/E39PCGftTt7YdYgYtX9VyHMTMd  |4 https://id.oclc.org/worldcat/ontology/hasWork 
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